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The drastic fluctuations in prices imply enormous risks and opportunities. We must first avoid risks before capturing opportunities, and the order must not be reversed. Because after several profitable flips, with only one hundred percent loss, the entire army is destroyed, and everyone understands this principle. So whether facing losses or profit drawdowns, risk control is a task that every transaction must do, not only to do it, but also to do it well. However, too many investors, due to their inner fragility, repeatedly compromise and compromise in the face of principles, making them ambiguous. If risk control is not in place, capturing any number of opportunities will be in vain.
Wednesday(10month3Day) Evening20:15Published in the United States9monthADPRecord an increase in employment23万人,增加值为2月以来最高,预期为增加18.5万人,前值上修为增加16.8万人。数据公布后,现货gold短线下挫,美元指数短线上扬。
今晚还将公布美国9monthMarkitService industryPMIFinal value and the United States9monthISMNon manufacturingPMI等经济数据,也将为周五的非农报告提供线索。从今晚到明天凌晨还有各位美联储高官密集讲话,美联储主席鲍威尔也将再度亮相,投资者可留意他们对美国经济的看法。
Gold:
黄金若强势突破1212的高点,我们在1215-1218附近可以选择轻仓空,随着时间的变化关键的支撑压力点都会有所变化,实时会盘中给出,今日重点关注数据20:15U.S.A9monthADP就业人数及凌晨俩点后美联储4位官员讲话,有套单的朋友,可单线本人,因此日内操作上笔者建议回落低多为主,高空为辅,不懂短线以及中长线的操作都可以直接来与笔者聊聊,具体策略笔者将在实盘中给出,大家有需要的朋友可与笔者取得联系!
1Suggest the current price of gold1200-1202多单直接进场,目标看1212First line, stop loss4dollar crude oil:
原油短线四小时图RSI指标触及80数值后承压,布林线上轨压制75.8,短线油价偏于震荡回落修正。昨日行情开盘在75.33After the position is raised, the market will be given first75.80After the position of the market rose and fell, the lowest was given74.90附近的位置后行情整理,最终日线收线在了75.05的位置后行情以一根上影线很长的倒锤头形态收线,而这样的形态收尾后。
1、建议原油现价74.90-75附近多单进场,目标先看76一线,第二目标76.80frontline! 恒指:
恒生指数10号合约,恒指今日最高反弹至日线MA20一线压制位置,没能企稳上方,与四小时MA60压制重叠,MACD日线来看整体是个空头趋势,今日宽幅震荡,明日来看高空为主,开盘如果没有高低开就看反弹日线MA20一线压制做空,若高低开直接做空为主。
1Suggest to use27160-27180Nearby empty orders enter, target26800Stop loss80Points